Friday, 30 March 2018

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Trend Trading is a trading tactic that efforts to capture gains through the analysis of an asset's momentum in a scrupulous direction. The trend trader enters into the long position when the stock is trending upward. Conversely, a short position is taken when the stock is in a down trend.
Trend trading is one of the most efficient and easy to use methods for making money in the stock market. Trend trading success depends upon identifying and analyzing the trend after it has started and getting out of the trend as soon as possible after the trend reverses.
Trend Trading engages taking a position in the markets with a view of holding that position for week to months for larger than normal gains. Trend traders or investors generally trade the long term or secular trends and are not anxiety with the day to day market volatility.
Breaking Down Trend Trading
This strategy presumes that the present directions of the stock will carryon into the future. It can be used by short, transitional or long-term traders. In spite of their selected time frame, traders will remain in their position until they consider the trend has reversed. But reversal may happen at different times for each time frame.

Important Rules for Trend Trading Any Market

One of the most psychologically difficult but most satisfying trading policies is that little something called trend following. This strategy is often applied by macro fund managers, trend follower funds and an array of other players. To some level, most traders and investors are trend followers, the difference falsehood in their approach to analyzing the market.
By definition, in the trend following strategy, traders and investors simply stay the trend in the underlying market until it ends. It's a uncomplicated concept, however it is also one that beginner traders often undervalue by miles in terms of the degree of skill needed to successfully execute the strategy. Beginner traders look at a trend, see a low point and a high point, and think to themselves, picking absolute lows and highs in trading and investing on a consistent basis is not possible.
The trick falsehood in having a set of rules and technical tools that if and when triggered, give the trader the move up and down that trader’s entry point, stoploss, or profit target has been triggered. The second and more difficult part is training ones brain to actually take the trade when the signal has arrived, and leave second guessing, doubt, fear and self-indulgence checked at the entry, each and every time. Consistency is the key to success here. The more constant a trader is in sticking to trader/investor rules, the less taxing the trend following strategy is on the mind.
Ø  Golden Rule: Don’t chase the stocks, patience is rewarded
Ø  Buy or Sell: Shrinks to moving averages or trend lines or breakouts
Ø   Buy or Sell: Breakouts above moving averages and trend lines
Ø   Buying or Selling after confirmation increases probability of success
Ø   Buying or Selling at shrinks greatly limits losses and maximizes profitability
Ø   Use momentum oscillators for confirmation of support and resistance at moving averages and trend lines
Ø   Traders must use candlesticks for confirmation of support and resistance zones
Ø   Traders/Investors use convergence zones- the coming together of multiple indicators, to add to trend following positions
It’s ok to get stopped out-that's the cost of doing business. Just be sure to get rid of losing trades quickly and without uncertainty. The next trend trade will be coming soon.
Also, traders must attentive that a trend is broken or weakening when,
• A major trend line or moving average breaks.
• Long candlesticks start to emerge on the charts.
• Momentum oscillator begins to show deviation from price action.

Tuesday, 27 March 2018

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Monday, 26 March 2018

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Sunday, 25 March 2018

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Future and Options Contract:
Futures and Options are the 2 types of the general structure of DERIVATIVES. Derivatives are the financial implement that derive their significance from underlying. The underlying in NSE share market is a stock issued by the company.
Futures Contract:
In Finance, Futures Contract is a standardized forward contract, a legal agreement to buy or sell something at a predetermined price a specified time in the future. Contracts are negotiated at future exchanges, which act as a marketplace between buyers and sellers. The buyer of a contract is said to be long position holder, and the selling party is said to be short position holder.
Advantages of Future Contract:
Futures and options are both derivative instruments, which means they derive their value from an underlying asset or instrument. Both futures and options have their own advantages and disadvantages. One of the advantages of options is obvious. An option contract provides the contract buyer the right, but not the obligation, to buy or sell an asset or financial instrument at a fixed price on or before a predetermined future month. That means the maximum risk to the buyer of an option is limited to the premium paid. But futures have some significant advantages over options. A futures contract is a binding agreement between a buyer and seller to buy or sell an asset or financial instrument at a fixed price at a predetermined future month. Though not for everyone, they are well suited to certain investments and certain types of investors.
Five advantages of Futures Contract compare to Options Contract:
i) Futures are great for trading certain investments: Futures may not be the best way to trade stocks, for instance, but they are a great way to trade specific investments such as commodities, currencies and indexes Their standardized features and very high levels of leverage make them particularly useful for the risk-tolerant retail investor. The high leverage allows those investors to participate in markets to which they might not have had access otherwise.
ii) Fixed upfront trading costs: The margin requirements for major commodity and currency futures are well-known because they have been relatively unchanged for years. Margin requirements may be temporarily raised when an asset is particularly volatile, but in most cases, they are unchanged from one year to the next. This means a trader knows in advance how much has to be put up as initial margin. On the other hand, the option premium paid by an option buyer can vary significantly, depending on the volatility of the underlying asset and broad market. The more volatile the underlying or the broad market, the higher the premium paid by the option buyer.
  1. No time decay: This is a substantial advantage of futures over options.Options are wasting assets,which means their value declines over time-a phenomenon known as time decay. A number of factors influence the time decay of an option, one of the most important being time to expiration. An options trader has to pay attention to time decay, because it can severely erode the profitability of an option position or turn a winning position into a losing one. Futures, on the other hand, do not have to contend with time decay.
  1. Liquidity: This is another major advantage of futures over options. Most futures markets are very deep and liquid, especially in the most commonly traded commodities, currencies and indexes. This gives rise to narrow bid-ask spreads and reassures traders they can enter and exit positions when required. Options, on the other hand, may not always have sufficient liquidity, especially for options that are well away from the strike price or expire well into the future.  
  1. Pricing is easier to understand: Futures pricing is intuitively easy to understand. Under the cost-of-carry pricing model, the futures price should be the same as the current spot price plus the cost of carrying (or storing) the underlying asset until the maturity of the futures contract. If the spot and futures prices are out of alignment, arbitrage activity would occur and rectify the imbalance. Option pricing, on the other hand, is generally based on the black-scholes model, which uses a number of inputs and is notoriously difficult for the average investor to understand
Options Contract:
Options Contract gives the buyer the right to buy/sell the underlying asset at a predetermined price, within, or at end of a specified period. He is, however, not obligated to do so. The seller of an option is obligated to settle it when the buyer exercises his right.

Stock Index Future:
Stock index futures are used for hedgingtrading and investments. Index futures are also used as leading indicators to determine market sentiment. Hedging using stock index futures could involve hedging against a portfolio of shares or equity index options. Trading using stock index futures could involve, for instance, volatility trading. Investing via the use of stock index futures could involve exposure to a market or sector without having to actually purchase shares directly.
Equity index futures and index options tend to be in liquid markets for close to delivery contracts. They trade for cash delivery, usually based on a multiple of the underlying index on which they are defined

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Friday, 23 March 2018

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